DAVE

DAVE

USD

Dave Inc. Class A Common Stock

$234.580-25.430 (-9.780%)

Real-time Price

Technology
Software - Application
United States

Price Chart

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Key Metrics

Market Metrics
Company Fundamentals
Trading Stats

Market Metrics

Open

$260.010

High

$273.120

Low

$220.000

Volume

0.52M

Company Fundamentals

Market Cap

3.2B

Industry

Software - Application

Country

United States

Trading Stats

Avg Volume

0.47M

Exchange

NGM

Currency

USD

52-Week Range

Low $37.56Current $234.580High $286.45

AI Analysis Report

Last updated: Nov 4, 2025
AI-GeneratedData Source: Yahoo Finance, Bloomberg, SEC

DAVE Inc. (DAVE) Analysis: Mixed Signals Ahead of Earnings Call

Price Action Review

DAVE shows erratic price behavior over the last three months. Key patterns include:

  • August Turbulence: Sharp 22% drop on Aug 6 ($235.48 → $187.42 low) followed by a 23% rebound over the next 12 trading days
  • Recent Highs: Reached $255.50 on Oct 24 before a 12% correction to $223.00 by Oct 30
  • Current Level: Trading at $240.11 as of Nov 3 (vs $239.32 previous close), with technical indicators split:
  • Bullish: DMI shows positive trend (PDI 17.2 > MDI 10.3)
  • Bearish: MACD crossover (1.2659 < 1.3688) and 34.73 debt-to-equity ratio

Volume patterns highlight:

  • Extreme 2.65M share day on Aug 6 (7x average volume)
  • Current 628K volume on Nov 3 exceeds average 468K, suggesting sustained interest

News & Sentiment

Two key developments shape sentiment:

  1. Analyst Support: Barrington Research reaffirmed $290 price target (Nov 3) despite recent pullback
  2. Earnings Catalyst: November 4 conference call (announced Oct 21) could drive volatility - timing aligns with current price near 3-week lows

Sentiment score remains neutral (56.34/100) despite positive analyst action, likely due to:

  • Elevated P/E ratio (240.11 vs sector average)
  • High debt-to-equity concerns (34.73 vs threshold 0.70)

Predictive Outlook

AI models project cautious optimism:

  • Day 1: Flat movement (-0.04%)
  • Day 2: +1.04%
  • Day 3: +2.29% Projected $260.08 take profit level represents 8.3% upside from current price

Strategic Recommendations

For Aggressive/Growth Investors:

  • Monitor $235.86-$239.51 range as potential entry zone (6 confirmed levels)
  • Set stop-loss at $215.34 (10.4% downside buffer)
  • Consider partial profit-taking at $239.32 (prior close) to lock gains

Key Risks:

  • Sector-specific: High market sensitivity may exaggerate movements
  • Company-specific: Elevated leverage and 64.1x P/E ratio create valuation concerns

Action Plan:

  1. Pre-Earnings Positioning: Nov 3-4 sees critical support/resistance at $235-240
  2. Post-Call Strategy: Watch for breakout above $246.61 (Nov 3 high) or breakdown below $232.89
  3. Volume Watch: Surpassing 500K shares (as seen Aug 6, Oct 14) often precedes major moves

**Balance Sheet Highlights

Related News

Analyst Upgrades

Barrington Research Maintains Outperform on Dave, Maintains $290 Price Target

Barrington Research analyst Gary Prestopino maintains Dave with a Outperform and maintains $290 price target.

View more
Barrington Research Maintains Outperform on Dave, Maintains $290 Price Target
Analyst Upgrades

Barrington Research Maintains Outperform on Dave, Maintains $290 Price Target

Barrington Research analyst Gary Prestopino maintains Dave with a Outperform and maintains $290 price target.

View more
Barrington Research Maintains Outperform on Dave, Maintains $290 Price Target
GlobeNewswire

Dave to Host Third Quarter 2025 Conference Call on November 4, 2025 at 8:30 a.m. ET

LOS ANGELES, Oct. 21, 2025 (GLOBE NEWSWIRE) -- Dave Inc. (&#34;Dave&#34; or the &#34;Company&#34;) (NASDAQ:DAVE), one of the nation's leading neobanks, will host a conference call on Tuesday, November 4, 2025 at 8:30 a.m. Eastern time

View more
Dave to Host Third Quarter 2025 Conference Call on November 4, 2025 at 8:30 a.m. ET

AI PredictionBeta

AI Recommendation

Bullish

Updated at: Nov 5, 2025, 03:53 AM

BearishNeutralBullish

64.5% Confidence

Risk & Trading

Risk Level3/5
Medium Risk
Suitable For
GrowthAggressive
Trading Guide

Entry Point

$235.80

Take Profit

$260.07

Stop Loss

$215.34

Key Factors

PDI 17.2 is above MDI 10.3 with ADX 23.6, suggesting bullish trend
Current Price is extremely close to support level ($236.79), suggesting strong buying opportunity
Trading volume is 17.6x average (4,753), indicating extremely strong buying pressure
MACD 1.2659 is below signal line 1.3688, indicating a bearish crossover

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